Investment Fund Sample Clauses

Investment Fund. First, Xxxxxxx Xxxxx Financial Square Government Fund for so long as Xxxxxxx Sachs Financial Square Government Fund is an Eligible Investment. If Xxxxxxx Xxxxx Financial Square Government Fund ceases to be an Eligible Investment, the funds deposited in each of the Designated Accounts shall second be held in Xxxxx Fargo Government Money Market Fund for so long as Xxxxx Fargo Government Money Market Fund is an Eligible Investment. If Xxxxx Fargo Government Money Market Fund ceases to be an Eligible Investment, the funds deposited in each of the Designated Accounts shall third be held in Xxxxx Fargo Treasury Plus Money Market Fund for so long as Xxxxx Fargo Treasury Plus Money Market Fund is an Eligible Investment. If Xxxxx Fargo Treasury Plus Money Market Fund ceases to be an Eligible Investment, the funds deposited in each of the Designated Accounts shall be invested at the written direction of the Administrator in a money market mutual fund that is an Eligible Investment and has a principal investment strategy and an investment objective that are each substantially identical to Xxxxxxx Sachs Financial Square Government Fund. The Administrator shall deliver written instructions to the Indenture Trustee with respect to any change to be made in connection with the Investment Funds in which the funds are to be invested. Issuing Entity: Carvana Auto Receivables Trust 2021-P4, a Delaware statutory trust created by the Certificate of Trust and described in the Trust Agreement.
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Investment Fund. An account of the Separate Account to which all or a portion of the amounts held under this Contract may be allocated.
Investment Fund. Each investment(s) which serves as a means to measure value, increases or decreases with respect to a Participant’s Accounts.
Investment Fund. The issuer is an investment fund for which a Friedberg Entity provides services. In such circumstances, the fund will be included on the list of related and connected issuers maintained by FMGL and will be noted with “Administrator” if a Friedberg Entity provides administrative management and “Advisor” if a Friedberg Entity provides portfolio management. • Ownership of Equity. There is Friedberg Professional Group ownership of equity securities constituting more than 5% of the subject class but the issuer is not a related issuer of FMGL. In such circumstances, the issuer will be included on the list of related and connected issuers maintained by FMGL and will be noted with “Equity”.
Investment Fund. A Transfer of limited partnership interests in an investment fund formed by a sponsoring company in the business of raising capital for investment purposes, as long as such fund has at least 20 limited partners, none of which owns (immediately before or after such Transfer) 10% or more of the Ownership Interests in Franchisee or directs the decisions of, or exercises any Control over, the fund or the companies in which the fund invests.
Investment Fund. First, Xxxxxxx Xxxxx Financial Square Government Fund for so long as Xxxxxxx Sachs Financial Square Government Fund is an Eligible Investment. If Xxxxxxx Xxxxx Financial Square Government Fund ceases to be an Eligible Investment, the funds deposited in each of the Designated Accounts shall second be held in Allspring Government Money Market Fund for so long as Allspring Government Money Market Fund is an Eligible Investment. If Allspring Government Money Market Fund ceases to be an Eligible Investment, the funds deposited in each of the Designated Accounts shall third be held in Allspring Treasury Plus Money Market Fund for so long as Allspring Treasury Plus Money Market Fund is an Eligible Investment. If Allspring Treasury Plus Money Market Fund ceases to be an Eligible Investment, the funds deposited in each of the Designated Accounts shall be invested at the written direction of the Administrator in a money market mutual fund that is an Eligible Investment and has a principal investment strategy and an investment objective that are each substantially identical to Xxxxxxx Sachs Financial Square Government Fund. The Administrator shall deliver written instructions to the Indenture Trustee with respect to any change to be made in connection with the Investment Funds in which the funds are to be invested. Issuing Entity: Carvana Auto Receivables Trust 2022-P1, a Delaware statutory trust created by the Certificate of Trust and described in the Trust Agreement.
Investment Fund. By: /s/ -------------------------------------- Name: Title: CREDIT SUISSE (GUERNSEY) LIMITED, as Trustee of Dynamic Growth Fund II By: /s/ -------------------------------------- Name: Title: By: /s/ -------------------------------------- Name: Title: EXHIBIT B (continued) APA EXCELSIOR IV, L.P. By: APA EXCELSIOR IV PARTNERS, L.P. (Its General Partner) By: PATRICOF & CO. MANAGERS, INC. (Its General Partner) By: /s/ ---------------------------------- Name: Title: COUTXX & XO. (CAYMAN) LTD., CUSTODIAN FOR APA EXCELSIOR IV/OFFSHORE, L.P. By: PATRICOF & CO. VENTURES, INC., INVESTMENT ADVISOR By: /s/ ---------------------------------- Name: Title: THE P/A FUND, L.P. By: APA PENNSYLVANIA PARTNERS, L.P. (Its General Partner) By: /s/ ---------------------------------- Name: Title: /s/ -------------------------------------- Michxxx Xxxxxxx EXHIBIT C VENHILL LIMITED PARTNERSHIP By: /s/ ---------------------------------------- Name: ---------------------------------------- Title: ---------------------------------------- JULIET CHALLENGER, INC. By: /s/ ---------------------------------------- Name: ---------------------------------------- Title: ---------------------------------------- HENRX X. XXXXXXX, XXSIX XXXXXXXX XXXXXXX XXX C. G. XXXXXXXXXXXX, TRUSTEES OF THE HENRX X. XXXXXXX TRUST U/A DATED 11/18/85 By: /s/ ---------------------------------------- Name: ---------------------------------------- Title: ----------------------------------------
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Investment Fund. A portion of the Fund which is separately invested as provided in Section 5.1, or the Loan Fund.
Investment Fund. The Named Fiduciary shall provide the Trustee with written notice of the appointment of each Investment Manager and of the termination of such appointment and direct the segregation of that portion of the Trust Fund to be managed by the Investment Manager. The Named Fiduciary also shall provide the Trustee with a copy of the investment management agreement and an acknowledgement by the Investment Manager that it is a fiduciary with respect to the Plan within the meaning of Section 3(21)(A) of ERISA. The Trustee shall be entitled to rely on such documents until otherwise notified in writing by the Named Fiduciary. The Trustee shall invest and reinvest such portion of the Trust Fund under the management of the Investment Manager as directed by the Investment Manager. The Trustee shall be entitled to conclusively rely upon the valuation of any securities or other property held in any portion of the Trust Fund that is provided to it by such Investment Manager for all purposes under this Agreement.
Investment Fund. “Investment Fund” shall mean the portion of the Trust Fund designated from time to time by the Committee pursuant to Section 7.3 hereof, that is invested in such assets of the Trust Fund (including, but not limited to, interests in common trust funds, qualified pooled trusts or mutual funds) as the Committee selects from time to time.
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